Part of question attached
Answer and Explanation:
Please find answer and explanation attached
According to the above material, there exist large differences between economic growth rate using traditional expenditure approach and the satellite night-light data. How do you evaluate the night-light data method? and can you identify several reasons why there exists such differences?
The use of satellite night-light data as a method to evaluate economic growth has both strengths and limitations. Reasons for Differences between Traditional Expenditure Approach and Night-light Data: Informal Economy, Data Limitations, Urbanization Bias and Structural Changes.
Here is an evaluation of the night-light data method and several reasons for the differences observed between the traditional expenditure approach and the night-light data:
Evaluation of the Night-light Data Method:
Objective and Timely: Satellite night-light data provides an objective and timely measure of economic activity. Wide Coverage: Night-light data can cover large geographical areas, including remote and inaccessible regions. Granularity: The data can be analyzed at a fine-grained level, allowing for detailed spatial analysis of economic patterns. This can help identify pockets of growth and disparities within regions.Reasons for Differences between Traditional Expenditure Approach and Night-light Data:
Informal Economy: The traditional expenditure approach relies on official economic data, which may not fully capture the informal sector. Data Limitations: Night-light data has its limitations. It primarily measures economic activity related to lighting, which may not capture other dimensions of economic growth such as services or knowledge-based industries. Urbanization Bias: Night-light data tends to be more representative of urban areas with higher population density and greater access to electricity. Structural Changes: The traditional expenditure approach focuses on consumption and investment, while night-light data primarily captures the energy consumption associated with lighting.For such more question on economic:
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Joe obtained a box of antique Lenox china dishes that had been left at the town dump. He supplemented the sizeable buy incomplete set of dishes with other Lenox pies found at antique dealers. At dinner parties, he proudly told of the origin of the china. When Marlene discovered that Joe had taken her dishes from the town dump, she hired an attorney to obtain their return. What result?
Answer:
The result of Marlene hiring an attorney to obtain her return would only be successful if she did not voluntarily give up her right to ownership of the plates and can provide an evidence to that effect
Explanation:
The result of Marlene hiring an attorney to obtain her return would only be successful if M can produce an evidence showing that she did not intentionally dump the plates into the town dump ( i.e. she did not voluntarily give up her right to ownership of the plates ) If not the plates will be transferred to give to Joe under the code name " finders keepers "
For each statement about Direct Competition and Indirect Competition,
choose True or False.
Indirect Competition is a
business whose services are
different from yours but
satisfy the same need.
All Companies that sell
goods and services are
Indirect Competitors.
When your target audience
buys products from a
competitor instead from
you, that is Indirect
Competition.
Direct Competition is a
company that offers
the same thing you
offer.
1. True
2. False
Answer:
Explanation:
1) Indirect Competition is a business whose services are different from yours but satisfy the same need.
True
2) All Companies that sell goods and services are Indirect Competitors.
False
3) When your target audience buys products from a competitor instead from you, that is Indirect Competition.
False
4) Direct Competition is a company that offers the same thing you offer.
True
An auditor who wishes to work in public accounting would strongly consider
getting which
certification/license?
O A. CMA
OB. CFE
OC. CIA
OD. CPA
Which Airlines lounges are the best ?
Answer:
Air France La Première Lounge, Paris is the first best Airline lounge in the World.
Explanation:
The Air France La Première Lounge gives its customer one of the fashionable flying experiences in the world, as it includes freshening up the cozy cocktail bar to be brighter and more inviting, adding semi-private relaxation areas and installing new pieces of art.
In addition to having one of the best first class inflight experiences available, Air France also provides an outstanding ground experience in Paris. Best food is also offered at the restaurant there.
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Sandra goes into her favorite shoe store where they are holding a special sales promotion. The salesperson explains to Sandra that if she purchases one pair of shoes, she would receive a free pair of socks. Which type of sales promotion is this?
A). Special financing
B). Bonus
C). Premium
D). Discount
The PP&E gross book value at the start of the month is 60,000, and the CAPEX of the month is 12,000. The accumulated depreciation at the start of the month is 25,000; the depreciation expense of the month is 750.
The net book value of PP&E calculated from the data above is _____.
The net book value off property plant and equipment is $46,250 at the end of the month. The net book value of PP&E calculated from the data above is $46,250.
What is depreciation?Depreciation is does systematic allocation of cost of the asset over the useful life. Depreciation is charged every month every month to the relevant asset asper the usage of the asset. Depreciation reduces the amount of an asset each month according to the usage of the asset. Depreciation can be charged on different methods.
The calculation is shown below,
The net book value of PP&E can be calculated as
$60,000 + $12,000 - $25,000 - $750 = $46,250
Net book value of PP&E can be calculated as: Add CAPEX for the month in opening assets value then deduct accumulated depreciation and current month expense of depreciation this will result in net book value of property plant end equipment at the end of the month.
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Dawson Toys, Ltd., produces a toy called the Maze. The company has recently established a standard cost system to help control costs and has established the following standards for the Maze toy:Direct materials: 6 microns per toy at $1.50 per micron Direct labor: 1.3 hours per toy at $21 per hourDuring July, the company produced 3,000 Maze toys. Production data for the month on the toy follow:Direct materials: 25,000 microns were purchased at a cost of $1.48 per micron. 5,000 of these microns were still in inventory at the end of the month.Direct labor: 4,000 direct labor-hours were worked at a cost of $88,000.Required: 1. Compute the following variances for July:a. The materials price and quantity variances.b. The labor rate and efficiency variances.
Answer:
1. a. The materials price and quantity variances
Material price variance: Standard cost per micron is $1.50 and actual cost per micron is $1.48. So, price variance is 1.48 - 1.5 = $(0.02) per micron
Quantity variance: Based on standard bill of material, Dawson Toys need 3,000 x 6 = 18,000 microns to produce 3,000 Maze toys. Actual consumption volume is 25,000 - 5,000 = 20,000 microns. So, quantity variance is 20,000 - 18,000 = 2,000 microns.
1. b. The labor rate and efficiency variances
Actual labor rate = Actual labor cost / Actual hour = 88,000/4,000 = $22 per hour.
Efficiency variance = Actual labor rate - Standard labor rate = 22 - 21 = $1 per hour.
2. Prepare a brief explanation of the possible causes of each variance.
Direct material cost variance: Total actual material cost is 20,000 x 1.48 = $29,600, higher than standard material cost of 18,000 x 1.5 = $27,000. This is mainly due to higher production waste as compared to standards.
Direct labor cost variance: Total actual labor cost is $88,000, higher than standard labor cost of 4,000 x 21 = $84,000. This is mainly due to lower labor rate per hour than expected.
Explanation:
Problem 20-39 (Algo) CU, Incorporated (CUI), produces copper contacts that it uses in switches and relays, CUI needs to determine the order quantity, Q, to meet the annual demand at the lowest cost. The price of copper depends on the quantity ordered. Here are price-break and other data for the problem: Price of copper $ 0.84 per pound up to 2,999 pounds 0.83 per pound for orders between 3,000 and 5,999 pounds 0.81 per pound for orders 6,000 pounds or greater 47,000 pounds per year 30 percent per unit per year of the price of the copper $ 30 Annual demand Holding cost Ordering cost Which quantity should be ordered? Quantity pounds
The optimal order quantity of CUI is 3,345.21 pounds, and the total cost to meet the annual demand at the lowest cost is $1,410,832.95.
The economic order quantity (EOQ) formula may be used to find the order quantity that will satisfy the yearly demand at the cheapest price. It goes like this: EOQ = √((2 × Annual demand × Ordering cost) ÷ Holding cost)
When the annual demand is 47,000 pounds, the ordering cost is $30, and the holding cost is 30% of the copper price per unit each year
At each price break, we may use the following ranges to get the copper price:
as much as 2,999 pounds: 0.84 cents per pound
3,001 to 5,999 pounds 0.83 cents per pound
more than 6,000 pounds: At $0.81 per pound
By using the EOQ formula to get the total cost for each price break, we can determine the ideal order quantity. The best amount to order is the one that has the lowest overall cost.
EOQ = √((2 × 47,000 × 30) ÷ (0.3 × 0.84))
∴ EOQ = 3,345.21 pounds
We will utilize the pricing of $0.83 per pound because the ideal order amount is between 3,000 and 5,999 pounds. As a result, the final price for the ideal order quantity is:
Total cost = (Annual demand × Ordering cost) + (Holding cost × EOQ × Price of copper)
Total cost = (47,000 × 30) + (0.3 × 3,345.21 × 0.83)
Total cost = $1,410,000 + $832.95
∴, Total cost = $1,410,832.95
∴ , The ideal order size is 3,345.21 pounds, and it would cost $1,410,832.95 to fulfill the annual demand at this size.
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Working capital movement is included in which section of the cash flow statement?
Working capital represents the firm’s "current assets and current liabilities" section of the cash flow statement.
What is Working capital?
Working capital are also known as net working capital is one of the most fundamental concepts of financial analysis.
Operating activities are where the working capital items are grouped. The "changes in operating assets and liabilities" area of the cash flow statement is often known as the "changes in working capital" section by finance experts.
As a result, "operating assets and liabilities” section of the cash flow statement.
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Imagine you are writing a friend an email about your great new job. Use your imagination and your research findings!
Your paragraph/email should answer all of the following:
What career do you have?
Where do you work (hospital, office, lab)?
Whom do you work with?
What do you do at your job?
What makes you good at your job?
What equipment or technology do you use?
Which of the following is more of an investment company in nature than a bank ?
A. Brokerage firm B. Commercial bank C. Savings and loans bank D. Credit union
Answer:
Explanation: A is the correct answer, I clicked a and it was correct.
Jack owns and manages a department store in Small town Despite a mall being built outside of town and its proximity to large towns Jack's business has thrived for 35 yearsJack knows his customers and treats them like familyHe insists that his employees keep customers happy and allows them the flexibility to make judgment calls Within the three-part marketing concept Jack has focused on a
A. Outcomes
B. Profit
C. Seller
D. Service
Within the three-part marketing concept, Jack has focused on a Service, option(D) is correct.
What are services?The term services state that the company or any industry is willing to pay the customer there are different services there like as we see in the showroom they have provided the car service to the customer by their services the customer is more added to the company and have the trustworthy to their company.
As the above term, Jack owns a business, and in the business providing the best services can make the customer happy and make more grow in business in it in the business the service plays an important role in it and make a bigger profit from it. As service is good in it, the more customer will be added to the business. Growing the business, and the work plays a significant role in it.
Therefore, option (D) is correct.
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(5 points)
Willie's Hot Dogs had sales last year of $250,300 and a guest count of 76,079.
Sales this year were $280,750 with a guest count of 83,556.
What was Willie's guest count percentage variance?
Willie's guest count percentage variance is 9.82%.
How to calculate guest count percentageTo calculate the guest count percentage variance
Use the following formula:
Guest count percentage variance = [(current year guest count - prior year guest count) / prior year guest count] x 100%
Guest count percentage variance = [(83,556 - 76,079) / 76,079] x 100%
Guest count percentage variance = (7,477 / 76,079) x 100%
Guest count percentage variance = 0.0982 x 100%
Guest count percentage variance = 9.82%
Therefore, Willie's guest count percentage variance is 9.82%.
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How are SAE programs expanded and/or diversified?
Answer:
The SAE programs could be extended even diversified using the following techniques.
Explanation:
Increased self-employment has led to something like the SAE programs. Rather than growing the breadth of this. The concept seems to be the volume, gross margin, quantity of acres, respectively. By introducing or growing new goods as well as companies. This would be referred to those as diversification. Whilst also connecting to the awareness acquired via the SAE programs.***I WILL GIVE BRAINLIEST*****
Jose can't wait to buy his first car next month. He imagines that he will make several new friends at school since everyone will want to ride in his car. He is even having a hard time concentrating on filling orders at the restaurant where he works. Does Jose's thinking have an ethical component? Who is most affected by Jose's conduct? *
Answer:
His thinking does NOT have a ethical componet.
HISELF is most affected by his conduct.
Answer:
C
Explanation:
im him
po
Additional Activities
Activity 5 - 3
Business
Transactions
corresponding transactions.
TRANSACTIONS
VALUE RECEIVED
VALUE PARTED
WITH
debt or obligation
1.
delivery truck
cash
2.
furniture
cash
3.
right to occupy space
service
receivable
4.
cash
service of employees
5.
Indicated below is an exchange of values. Briefly describe the
Answer:
ok
Explanation:
If you own a business that operates in a certain building then you are liable for the condition of the building.
True
False
briefly describe and note any errors you see in the a/p aging summary report as of march 30 2016
Your AR ageing report contains information about the credit you grant customers who make purchases from you.
What is AR ageing?Accounts receivable ageing is a recurring report that classifies a company's receivables based on how long an invoice has been unpaid. It serves as a yardstick for evaluating the stability and financial standing of a company's clientele. If an organization's receivables are being collected much more slowly than usual, this may indicate that business is slowing down or that the organisation is taking on more credit risk in its sales operations. As a management tool, accounts receivable ageing can show whether customers are developing credit concerns and whether the company should continue doing business with those who are frequently late with payments.
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Arrange the steps in shipping and receiving merchandize in the correct order.
1.shipment of goods
2.receiving goods
3.order fulfillment
4.inventory control
Answer:
3,1,4,2
Explanation:
order fulfilment
shipment of goods
inventory control
receiving goods
The distinction between Buddhist practices and non-Buddhist practices is straightforward.>>>>>
False. Unlike other religions, Buddhist practices are hard to separate from other cultural practices.
False. Like other religions, Buddhist practices blends with other cultural practices.
True. If a practice aims at solving the problem of suffering, then it is Buddhist.
The distinction between Buddhist practices and non-Buddhist practices is straightforward. So the correct statement is If a practice aims at solving the problem of suffering, then it is Buddhist.
Buddhist states that Human life is full of suffering. In order to get relief from suffering one must involve in helping others and performing good actions which help them in receiving incarnation after death.
Buddhists provided a variety of explanations in a variety of terms and approaches, depending on each person's stage of development, intellectual capacity, and ability to follow directions.
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Based on the regression output, what proportion of the variability in revenue can be accounted for by whether the Red Sox are playing away? Enter the value of the percentage with exactly ONE digit to the right of the decimal place. See the drop bar if you need more detail on how to round your answer.
The given regression output shows that the proportion in revenue variability that can be explained by Red Sox playing away is 22.5%.
Purpose of the R-squared value To explain the variability in the dependent variable as a result of the change in the independent variable.The R-squared is therefore the relevant figure here as the dependent variable is revenue and the independent variable is the Red Sox playing away.
= 0.2252 x 100%
= 22.5%
In conclusion, this is 22.5%.
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Which of the following would be considered residential transactions please select all that apply
Answer:
is the reduces of an Insurance
Explanation:
there have been several complaint about the increase in the number of teenage hawkers in the street. write a letter to the editor of national newspaper discussing the problem suggesting solution
Guys.. Pls... Just try to help me out.
1. If you were preparing a marketing plan for this hotel, how would you describe the
company, its positioning strategy, and its value proposition?
2. What do you want to know about the market- demographics and psychographics?
3. Describe each of the 4P’s as they relate to this hotel.
(Product, Place, Price, Promotion)
4. Without doing further research, who do you think is the target market?
5. Does the hotel have a brand image? If so, explain.
1. The hotel is a luxury resort with a unique positioning strategy that caters to affluent travelers seeking exclusivity and relaxation. Its value proposition is centered around creating unforgettable memories for guests.
2. Gathering demographic and psychographic data can help identify the hotel's target audience and their emotional and psychological needs.
How would you describe the company, its positioning strategy?The hotel is a luxury resort situated on a beautiful beach with breathtaking views. It caters to affluent travelers who value exclusivity, privacy, and relaxation. The hotel's positioning strategy is to offer an unparalleled experience by providing guests with top-notch amenities and services that meet and exceed their expectations.
The hotel's value proposition is centered around the idea of creating unforgettable memories for guests that they will cherish for a lifetime. By offering an exclusive, luxurious experience, the hotel seeks to differentiate itself from its competitors and attract high-end customers who are willing to pay a premium for superior service.
What do you want to know about the market- demographics and psychographics?To better understand the hotel's market, it would be helpful to gather information on the demographics and psychographics of its target audience. Demographic information such as age, income, education, and occupation would be useful in determining the hotel's target customer profile. Psychographic data, such as values, lifestyle, interests, and personality traits, can help identify the emotional and psychological needs of the target market.
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You are planning to put $3,500 in the bank at the end of each year for the next four years in hopes that you will have enough money for a down payment on a condo. If you are investing at an annual interest rate of 5%, you'll have accumulated ___________ at the end of four years.
You decided to deposit your money in the bank at the beginning of the year instead of the end of the same year, but now you are making payments of $2,500 at an annual interest rate of 6%. How much money will you have available at the end of seven years?
Answer:
Results are below.
Explanation:
Giving the following information:
Annual deposit (A)= $3,500
Number of periods (n)= 4 years
Interest rate (i)= 5%
To calculate the future value, we need to use the following formula:
FV= {A*[(1+i)^n-1]}/i
A= annual deposit
FV= {3,500*[(1.05^4) - 1]} / 0.05
FV= $15,085.44
Now, the deposit is at the beginning:
Annual deposit (A)= $2,500
Number of periods (n)= 7 years
Interest rate (i)= 6%
FV= {A*[(1+i)^n-1]}/i + {[A*(1+i)^n]-A}
FV= {2,500*[(1.06^7) - 1]} / 0.06 + {[2,500*(1.06)^7] - 2,500}
FV= 20,984.59 + 1,259.08
FV= $22,243.67
Last year sales of XYZ company are Rs. 900,000 and 80% sales are on credit. Gross profit margin is 25% on sales. The closing stock value is Rs. 90,000. What must be the inventory turnover ratio and age of inventory of the firm?
The inventory turnover ratio of the firm is 7.5 times, and the age of inventory is 48.67 days.
What is turnover?
In business and finance, turnover refers to the total amount of revenue generated by a company through its operations over a specific period of time, typically a year. It can also refer to the rate at which a company's inventory is sold and replaced over a given period of time, usually a year. Turnover can be measured in terms of sales revenue, number of units sold, or number of transactions processed.
In accounting, turnover can also refer to the number of times a particular asset, such as inventory or accounts receivable, is replaced or converted into cash over a specific period of time. This is commonly referred to as the inventory turnover ratio or accounts receivable turnover ratio, respectively.
In general, turnover is an important metric used to evaluate a company's financial performance and efficiency, as it indicates how effectively a company is able to generate revenue from its operations and manage its assets.
To calculate the inventory turnover ratio and age of inventory of the firm, we need to use the following formulas:
Inventory turnover ratio = Cost of goods sold / Average inventory
Age of inventory = 365 days / Inventory turnover ratio
To calculate the cost of goods sold, we first need to calculate the total sales and the gross profit.
Total sales = Rs. 900,000
Credit sales = 80% of total sales = 0.8 x Rs. 900,000 = Rs. 720,000
Cash sales = Total sales - Credit sales = Rs. 900,000 - Rs. 720,000 = Rs. 180,000
Gross profit = Gross profit margin x Total sales = 0.25 x Rs. 900,000 = Rs. 225,000
Cost of goods sold = Total sales - Gross profit = Rs. 900,000 - Rs. 225,000 = Rs. 675,000
To calculate the average inventory, we need to add the opening and closing stock values and divide by 2.
Closing stock value = Rs. 90,000
Assuming that the opening stock value is the same as the closing stock value, the average inventory is (Rs. 90,000 + Rs. 90,000) / 2 = Rs. 90,000
Now we can calculate the inventory turnover ratio and the age of inventory:
Inventory turnover ratio = Cost of goods sold / Average inventory = Rs. 675,000 / Rs. 90,000 = 7.5 times
Age of inventory = 365 days / Inventory turnover ratio = 365 days / 7.5 times = 48.67 days
Therefore, the inventory turnover ratio of the firm is 7.5 times, and the age of inventory is 48.67 days. This means that the company sells its entire inventory 7.5 times in a year, and it takes around 48.67 days to sell its inventory.
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A business's revenue exceeds its expenses by $2,000 per month. However, its fixed expenses just increased by $3,500 per month. If this continues and the business has $18,000 in cash, in how many months will it run out of cash?
a) 12
b) 15
c) 20
d) 24
Answer:
a) 12
Explanation:
If the revenue exceeds the expenses by $2,000 per month this means that they are in profit $2,000 every month. Now the expenses increased by $3,500 so we need to subtract the $2,000 from this to calculate by how much expenses are exceeding profit.
$3,500 - $2,000 = $1,500
Now we can see that they need to pay $1,500 in expenses every month. Since they have $18,000 in cash we can divide this by 1,500 to calculate how many months they will be able to pay the expenses before they run out of cash.
18,000 / 1,500 = 12 months
Airline Accessories has the following current assets: cash, $96 million; receivables, $88 million; inventory, $176 million; and other current assets, $12 million. Airline Accessories has the following liabilities: accounts payable, $86 million; current portion of long-term debt, $29 million; and long-term debt, $17 million. Based on these amounts, calculate the current ratio and the acid-test ratio for Airline Accessories. (Enter your answers in millions, not in dollars. For example, $5,500,000 should be entered as 5.5.)
Answer and Explanation:
The computation of the current ratio and the acid ratio is shown below:
The current ratio is
= Current assets ÷ current liabilities
= ($96 + $88 + $176 + $12) ÷ ($86 + $29)
= $372 ÷ $115
= 3.23 times
And, the quick ratio is
= Quick assets ÷ current liabilities
= ($372 - $176) ÷ ($86 + $29)
= $196 ÷ $115
= 1.70 times
Hence, the current ratio and the acid-test ratio is 3.23 times and 1.70 times respectively
Why are circular flow models useful for economists?
OA. They track the flow of money through different parts of an
economy.
B. They explain the causes of economic problems throughout
history.
C. They analyze the rise and fall of investments' value over time.
D. They predict whether an economic proposal will be successful.
The circular flow model are useful because: of options A, C and D
Why are circular flow models useful for economists?Circular flow models are useful for economists for several reasons:
A. They track the flow of money through different parts of an economy: Circular flow models help economists understand how money moves through an economy from one sector to another, such as from households to firms, and from firms to households.
C. They analyze the rise and fall of investments' value over time: Circular flow models can be used to analyze the impact of changes in one sector of the economy on the rest of the economy. For example, if investment in a certain sector increases, it could lead to an increase in demand for goods and services, which in turn could impact the rest of the economy.
D. They predict whether an economic proposal will be successful: Circular flow models can be used to predict the impact of an economic proposal or policy on the different parts of an economy. This allows economists to assess the potential success of a proposal before it is implemented.
In summary, circular flow models are useful tools for economists because they help to track the flow of money, analyze the impact of economic changes, and predict the success of economic proposals.
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What will produce more accurate results when giving a survey?
A. Using the word "frequently" in a question
B. Creating face-to-face interviews
C. Adding boxes to check for answers
D. Creating an open questions
Answer:
Option B; Creating face-to-face interviews
Explanation:
Research has shown that face-to-face interviews tend to produce more accurate results when giving a survey. So the correct answer is option B.